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Analyzing Financial Data and Implementing Financial Models Using R

Overview of attention for book
Attention for Chapter 3: Portfolio Returns
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Chapter title
Portfolio Returns
Chapter number 3
Book title
Analyzing Financial Data and Implementing Financial Models Using R
Published by
Springer, Cham, January 2015
DOI 10.1007/978-3-319-14075-9_3
Book ISBNs
978-3-31-914074-2, 978-3-31-914075-9
Authors

Clifford S. Ang

Mendeley readers

Mendeley readers

The data shown below were compiled from readership statistics for 10 Mendeley readers of this research output. Click here to see the associated Mendeley record.

Geographical breakdown

Country Count As %
China 1 10%
Unknown 9 90%

Demographic breakdown

Readers by professional status Count As %
Student > Ph. D. Student 3 30%
Student > Master 2 20%
Professor 1 10%
Other 1 10%
Student > Bachelor 1 10%
Other 1 10%
Unknown 1 10%
Readers by discipline Count As %
Economics, Econometrics and Finance 6 60%
Business, Management and Accounting 1 10%
Social Sciences 1 10%
Unknown 2 20%